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Bank Loans and issuance of Debt Securities - Summary of Issuance of Debt Securities (Parenthetical) (Detail) - MXN ($)
$ in Thousands
12 Months Ended
Sep. 05, 2024
Mar. 20, 2024
Mar. 27, 2023
Sep. 26, 2022
Mar. 17, 2022
May 07, 2021
Jun. 25, 2020
Feb. 13, 2020
Mar. 29, 2019
Feb. 20, 2015
Dec. 31, 2024
Dec. 31, 2023
Mar. 31, 2024
Dec. 31, 2022
Oct. 15, 2021
Mar. 27, 2019
Disclosure of debt securities [line items]                                
Issuance of debt securities                     $ 36,903,722 $ 31,255,588   $ 26,457,588    
Unsecured Debt GAP-15-2 [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities $ 1,500,000                              
Unsecured Debt GAP-15-2 [Member] | Fixed Rate Interest [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities                   $ 1,500,000 $ 1,500,000 1,500,000   1,500,000    
Maturity period                   10 years            
Maturity date                   Feb. 07, 2025            
Interest rate                   7.08%            
Unsecured Debt GAP-19 [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities                               $ 3,000,000
Maturity date                     Mar. 22, 2024          
Unsecured Debt GAP-19 [Member] | TIIE Variable Rate Plus 45 Basis Point [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities                 $ 3,000,000              
Borrowings interest rate basis                     28-day TIIE plus 45 basis points          
Derivative financial instrument basis points                 45.00%              
Maturity period                 5 years              
Interest rate                     10.244%          
Unsecured Debt GAP-20 [Member] | TIIE Rate Plus 17 Basis Point [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities               $ 3,000,000                
Borrowings interest rate basis                     28-day TIIE plus 17 basis points          
Derivative financial instrument basis points               17.00%                
Maturity period               5 years                
Interest rate                     10.244%          
Unsecured Debt GAP-20-2 [Member] | TIIE Plus 85 Basis Points [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities             $ 602,000             602,000    
Borrowings interest rate basis                     28-day TIIE plus 85 basis points          
Derivative financial instrument basis points             85.00%                  
Maturity period             3 years                  
Unsecured Debt GAP-20-3 [Member] | Fixed Rate Interest [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities             $ 3,598,000       $ 3,598,000 3,598,000   3,598,000    
Maturity period             7 years                  
Interest rate             8.14%                  
Unsecured Debt GAP-21 [Member] | TIIE Plus 60 Basis Points [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities           $ 2,500,000         $ 2,500,000 2,500,000   2,500,000    
Borrowings interest rate basis                     28-day TIIE plus 60 basis points          
Derivative financial instrument basis points           60.00%                    
Maturity period           4 years                    
Interest rate                     10.244%          
Unsecured Debt GAP-21-2 [Member] | Fixed Rate Interest [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities                     $ 3,000,000 3,000,000   3,000,000    
Unsecured Debt GAP-21-2 [Member] | Variable rate interest [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities           $ 3,000,000                    
Maturity period           7 years                    
Interest rate           7.91%                    
Unsecured Debt GAP-21V [Member] | TIIE Plus 25 Basis Points [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities                     $ 1,500,000 $ 1,500,000   1,500,000 $ 1,500,000  
Borrowings interest rate basis                     28 days at a variable rate of TIIE-28 plus 25 basis points          
Derivative financial instrument basis points                             25.00%  
Maturity period                       5 years        
Maturity date                     Oct. 09, 2026          
Interest rate                     10.244%          
Unsecured Debt GAP-22 [Member] | TIIE Rate Plus 18 Basis Point [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities         $ 2,000,000           $ 2,000,000 $ 2,000,000   2,000,000    
Borrowings interest rate basis                     TIIE-28 plus 18 basis points          
Maturity period         5 years             5 years        
Interest rate                       10.244%        
Unsecured Debt GAP-22-2 [Member] | Fixed Rate Interest [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities         $ 3,000,000           $ 3,000,000 $ 3,000,000   3,000,000    
Maturity period         10 years                      
Interest rate         9.67%                      
Unsecured Debt GAP-22L [Member] | TIIE Rate Plus 26 Basis Point [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities       $ 2,757,588             $ 2,757,588 2,757,588   $ 2,757,588    
Borrowings interest rate basis                     TIIE-28 plus 26 basis points          
Derivative financial instrument basis points       26.00%                        
Maturity period       5 years                        
Interest rate                     10.244%          
Unsecured Debt GAP 23-L [Member] | TIIE Rate Plus 26 Basis Point [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities                     $ 1,120,000 1,120,000        
Unsecured Debt GAP 23-L [Member] | TIIE Rate Plus 2 Basis Point [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities     $ 1,120,000                          
Borrowings interest rate basis                     TIIE-28 plus 2 basis points          
Derivative financial instrument basis points     2.00%                          
Maturity period     4 years                          
Interest rate                     10.244%          
Unsecured Debt GAP 23-2L [Member] | Fixed Rate Interest [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities     $ 4,280,000                          
Maturity period     7 years                          
Interest rate     9.65%                          
Unsecured Debt GAP 23-2L [Member] | TIIE Rate Plus 26 Basis Point [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities                     $ 4,280,000 $ 4,280,000        
Unsecured Debt GAP 24L [Member] | TIIE Plus 25 Basis Points [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities   $ 1,384,868                 $ 1,384,868          
Borrowings interest rate basis                     28-day TIIE plus 25 basis points          
Derivative financial instrument basis points   25.00%                            
Maturity period   3 years                            
Interest rate                     10.244%          
Unsecured Debt GAP 24-2L [Member] | Fixed Rate Interest [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities   $ 1,615,132                 $ 1,615,132          
Borrowings interest rate basis                     182 days at a fixed interest rate of 9.94%          
Maturity period   7 years                            
Interest rate   9.94%                     9.94%      
Unsecured Debt GAP-24 [Member] | TIIE Plus 60 Basis Points [Member]                                
Disclosure of debt securities [line items]                                
Issuance of debt securities $ 5,648,134                   $ 5,648,134          
Borrowings interest rate basis                     28-day TIIE plus 60 basis points          
Derivative financial instrument basis points 60.00%                              
Maturity period 5 years                              
Interest rate                     10.244%